INVESTMENT APPROACH

Overview

A Focus on Absolute Returns

Cross Border Investment Management funds are designed to be all-weather portfolios, generating consistent absolute returns (not relative to a benchmark) with low correlation to general market conditions.

To that end, our investments will reflect global changes to monetary policy, international trade, and regional growth, representing a diversity of geographical, economic, and credit strategy exposures.

Picking our Investments

We believe returns can be best captured through prudent debt investments with a bias towards investments with sound collateral and defensive credit metrics.

As a global private debt manager, Cross Border Investment Management will seek the counsel and advice of specialists and sector experts that best reflect our outlook on the global markets.

 

Portfolio Strategies

We are currently not accepting any new investors. Please contact us if you have questions about existing portfolios. 

Contact: info@crossborderim.com

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